info website equity

NAV

NAV 14-01-2025
Value
Equity Fund
1.323,5712
Managed Fund
2.822,6429
Safe Link Plus
Stable Link
7.558,1730
Steady Fund
5.025,8750
Steady Fund USD
0,208823
Balanced Fund
1.522,2118
NAV 13-01-2025
Value
Equity Fund
1.337,0422
Managed Fund
2.839,5535
Safe Link Plus
Stable Link
7.557,5596
Steady Fund
5.031,1119
Steady Fund USD
0,208852
Balanced Fund
1.521,7368
NAV 10-01-2025
Value
Equity Fund
1.352,9152
Managed Fund
2.862,2273
Safe Link Plus
Stable Link
7.555,0105
Steady Fund
5.044,6864
Steady Fund USD
0,209062
Balanced Fund
1.528,3104